What's a better investment strategy than dollar cost averaging on SPY
Are new issues generally better or worse?
Various indexes, sectors, geolocations?
Over trading, tax implications?
Diversification, what has been the correlation between different instruments?
Daily symbol open, close, high, low, volume would be easily available; what about events, earnings, IPO, merge and splits, shoc, and intraday data? What about other instruments, real estate, bonds, fx, crypto?
How to approach this problem? What are some good criteria to accept one theory and reject another?
What to make of crazy market conditions like the last week of 202002?
What's a better investment strategy than dollar cost averaging on SPY
What to make of crazy market conditions like the last week of 202002?